Notes:

Based on latest Full Year results announcement, adjusted for the current number of shares.

Based on latest results announcement (Full Year, Half Year or Interim), adjusted for carrying value of "Other Share Capital", illustrative financial effects of corporate actions (if applicable) and the current number of shares.

Notes:

For companies, Market Cap is based on the trading currency of the company. Industry/Index Market Cap is
the average market cap for that industry/index.

Industry/Index PE is calculated using (Total Market Cap/Total Earnings) of all companies in the
industry/index.

Industry/Index Price/NAV is calculated using (Total Market Cap/Total Shareholders' Equity) of all
companies in the industry/index.

Industry/Index Dividend Yield is
calculated using (Total Gross Dividend/Total Market Cap) of all companies in the industry/index.

For Industry/Index calculation, data for foreign currency denominated companies will be converted to the
main market currency using the latest exchange rate.

Industry/Index/Peers data is updated daily.

Peers are sorted by market capitalisation and only details for the top 10 will be shown.

Total Shareholder Return

Period

Dividend Received

Capital Appreciation

Total Shareholder Return

Short Term Return

5 Days

-

+0.020

+8.33 %

10 Days

-

+0.030

+13.04 %

20 Days

-

+0.015

+6.12 %

Medium Term Return

3 Months

-

-0.005

-1.89 %

6 Months

-

-

-

1 Year

0.005

-0.065

-18.46 %

Long Term Return

2 Years

0.010

-0.100

-25.00 %

3 Years

0.030

-0.185

-34.83 %

5 Years

0.030

-0.235

-41.41 %

Annualised Return

Annualised

-

-

-10.14 %

Notes:

Total Shareholder Return (TSR) combines share price appreciation and dividends paid to show the total return to the shareholder expressed as a percentage.

Script dividends are ignored in this calculation.

Price Movements

1 Year Range

0.170 - 0.350

Change From 1 Year Low

+0.090

% Change From 1 Year Low (%)

+52.94

Change From 1 Year High

-0.090

% Change From 1 Year High (%)

-25.71

2 Years Range

0.170 - 0.395

Change From 2 Years Low

+0.090

% Change From 2 Years Low (%)

+52.94

Change From 2 Years High

-0.135

% Change From 2 Years High (%)

-34.18

5 Years Range

0.170 - 0.535

Change From 5 Years Low

+0.090

% Change From 5 Years Low (%)

+52.94

Change From 5 Years High

-0.275

% Change From 5 Years High (%)

-51.40

Notes:

Price movements are based on adjusted historical data.

Company Background

Gromutual Berhad. The Group's principal activity is property development. Other activities include property management, investment holdings and sales of oil palm fruits. The Group operates principally in Malaysia.